Recent Annual Filings for WCN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,817,809,000 $8,919,591,000 $8,156,658,000 $420,656,000 $2,228,927,000 $944,945,000 $14,135,000
2023 $17,915,876,000 $8,021,951,000 $7,038,450,000 $809,830,000 $2,126,817,000 $-544,405,000 $2,674,000
2022 $17,134,603,000 $7,211,859,000 $6,162,896,000 $739,587,000 $2,022,492,000 $1,028,463,000 $-38,251,000
2021 $14,699,924,000 $6,151,361,000 $5,380,619,000 $658,724,000 $1,698,229,000 $-499,496,000 $-494,774,000
2020 $13,992,364,000 $5,445,990,000 $5,192,076,000 $214,304,000 $1,408,521,000 $-78,224,000 $291,168,000
2019 $13,737,695,000 $5,388,679,000 $4,682,788,000 $630,504,000 $1,540,547,000 $-95,894,000 $19,255,000
2018 $12,627,329,000 $4,922,941,000 $4,215,801,000 $363,955,000 $1,411,235,000 $-187,578,000 $-149,453,000
2017 $12,014,681,000 $4,630,488,000 $4,121,978,000 $728,834,000 $1,187,260,000 $56,760,000 $279,583,000